GS US Fixed Inc.Pf.Base USD
LU0620231984
GS US Fixed Inc.Pf.Base USD/ LU0620231984 /
NAV 10.10.2024
Diff.-0,0100
Ertragstyp
Ausrichtung
Fondsgesellschaft
9,7500 USD
-0,10%
ausschüttend
Anleihen
Goldman Sachs AM BV ▶
Zeitraum: 6 Monate 1 Jahr 2 Jahre 3 Jahre 5 Jahre
Anzahl an Fonds: 10 20 50
Titel
ISIN
Performance
Volatilität
Sharpe Ratio
1.
AB FCP I Mortgage Inc.Pf.AA ZAR H
LU1035782215
+13,84%
1,66%
6,40
2.
AB FCP I Mortgage Inc.Pf.AT USD
LU1021289076
+10,61%
1,68%
4,39
3.
AMUNDI FUNDS US HIGH YIELD BOND - A ZAR MTD3
LU1883861996
+16,68%
3,34%
4,05
4.
AB FCP I Mortgage Inc.Pf.AA USD
LU1021288698
+10,53%
1,83%
3,99
5.
AB FCP I Mortgage Income Portfolio Class NT
LU1802466067
+9,96%
1,72%
3,93
6.
AB FCP I Mortgage Income Portfolio Class AT GBP H
LU1684389239
+10,26%
1,80%
3,92
7.
AB FCP I Mortgage Income Portfolio Class AT
LU1684389403
+9,92%
1,76%
3,80
8.
AB FCP I Mortgage Income Portfolio Class AA
LU1127386222
+9,91%
1,76%
3,80
9.
AMUNDI FUNDS US HIGH YIELD BOND - B ZAR MTD3
LU1883862705
+15,79%
3,33%
3,79
10.
AMUNDI FUNDS US HIGH YIELD BOND - T ZAR MTD3
LU1883865476
+15,64%
3,32%
3,75
...
206.
GS US Fixed Inc.Pf.Base USD
LU0620231984
+10,53%
6,27%
1,17